CFA Level I- Portfolio Management- Part I

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The Video was recorded during a live classroom session by Mr.Utkarsh Jain at FinTree.
The Video Covers first of Portfolio Management, Risk & Return Reading.
The Video Session will discuss concepts of Standard Deviation, Covariance , Correlation, from the example given in this video.

#CFA #FinTree
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This guy is absolutely amazing. Best CFA prep videos I've seen on the Internet. Where can I buy the full set of lectures? Nothing on the website.

MrSami
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It was very helpful but can you please upload part 2 of the lecture? Thank you.

rhojhe
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Dear friends, the XYZ company have multiple child companies, I can see each child company is "product" in the product portfolio. How can I define return or risk of each company?. Thanks.

ntcuongct
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This is really good one.. I could not find part 2 of this lecture. Can someone post the link please?

meenubhatia
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Dear friends, If I want to invest the steel industry in vietnam, I want to estimate the market size of this industry. Could you help?. Thank you.

ntcuongct
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wat is salary after level 1 on an average

cajaychheda
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please upload the clear videos to yotube what is this ?

علممالی
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